Fondo: CAIXABANK MONETARIO RENDIMIENTO, FI CLASE INSTITUCIONAL
Fecha |
Valor liquidativo |
---|---|
29/07/2022 | 7,87547478 euros |
28/07/2022 | 7,87538185 euros |
27/07/2022 | 7,87422194 euros |
26/07/2022 | 7,87449231 euros |
25/07/2022 | 7,87468267 euros |
24/07/2022 | 7,87406467 euros |
23/07/2022 | 7,87398554 euros |
22/07/2022 | 7,87390828 euros |
21/07/2022 | 7,87238652 euros |
20/07/2022 | 7,87443168 euros |
19/07/2022 | 7,87397071 euros |
18/07/2022 | 7,87445939 euros |
17/07/2022 | 7,87454218 euros |
16/07/2022 | 7,87446707 euros |
15/07/2022 | 7,87390679 euros |
14/07/2022 | 7,87407377 euros |
13/07/2022 | 7,87597422 euros |
12/07/2022 | 7,87781386 euros |
11/07/2022 | 7,87759616 euros |
10/07/2022 | 7,87747779 euros |
09/07/2022 | 7,87740522 euros |
08/07/2022 | 7,87733294 euros |
07/07/2022 | 7,87784703 euros |
06/07/2022 | 7,87618444 euros |
05/07/2022 | 7,8754979 euros |
04/07/2022 | 7,87527184 euros |
03/07/2022 | 7,87739684 euros |
02/07/2022 | 7,87731601 euros |
01/07/2022 | 7,87723701 euros |
30/06/2022 | 7,87412916 euros |
29/06/2022 | 7,8730385 euros |
28/06/2022 | 7,87212293 euros |
27/06/2022 | 7,87340331 euros |
26/06/2022 | 7,87447836 euros |
25/06/2022 | 7,87439789 euros |
24/06/2022 | 7,87431791 euros |
23/06/2022 | 7,87481524 euros |
22/06/2022 | 7,87217499 euros |
21/06/2022 | 7,87165704 euros |
20/06/2022 | 7,87153009 euros |
19/06/2022 | 7,87179989 euros |
18/06/2022 | 7,87171013 euros |
17/06/2022 | 7,87162215 euros |
16/06/2022 | 7,87045689 euros |
15/06/2022 | 7,87225368 euros |
14/06/2022 | 7,86887506 euros |
13/06/2022 | 7,87218156 euros |
12/06/2022 | 7,87898096 euros |
11/06/2022 | 7,87889773 euros |
10/06/2022 | 7,87881605 euros |